RNS Number:8802N
Nippon Sheet Glass Company Limited
13 February 2008

Consolidated financial statements

1.        Balance sheet
                                                                                  (in million
                                                                                      JPY)
                                                      FY 2007        FY 2008         Change         FY 2007
                                                        Q3             Q3                          Year-End
                                                     as of 31       as of 31                      as of 31Mar
                                                     Dec 2006       Dec 2007                         2007
Current assets                                        429,846        451,383         21,537         465,836
Cash and deposits                                     133,992        159,617         25,625         160,914
Notes and account receivables - trade                 152,622        139,919        (12,703)        148,584
Inventories                                           127,591        126,292         (1,299)        113,259
Other current assets                                   15,639         25,555          9,915          43,078

Fixed assets                                          968,613        966,151         (2,461)        943,146
Tangible assets                                       419,020        397,027        (21,993)        396,586
Intangible assets                                     344,987        386,709         41,721         399,498
Investments and other assets                          204,605        182,415        (22,189)        147,062

Total : Assets                                      1,398,460      1,417,534         19,074       1,408,983
                                           
Current liabilities                                   400,655        406,072          5,417         437,589
Notes and account payables - trade                    132,669         82,683        (49,985)         98,291
Bonds scheduled for redemption                           -            10,000         10,000            -
Short-term bank borrowings                            190,944         98,811        (92,133)        107,316
Other current liabilities                              77,042        214,578        137,536         231,981

Fixed liabilities                                     577,361        596,171         18,810         620,768
Bonds                                                  43,000         33,000        (10,000)         43,000
Long-term bank borrowings                             331,892        357,635         25,742         410,800
Other fixed liabilities                               202,468        205,536          3,067         166,967

Total : Liabilities                                   978,016      1,002,243         24,227       1,058,358

Net Assets                                            420,443        415,291         (5,152)        350,625
I. Shareholders' Equity                               313,521        369,530         56,009         306,900
Common stock                                           96,147         96,147              0          96,147
Capital surplus                                       105,289        105,291              2         105,289
Retained earnings                                     112,502        168,626         56,124         105,914
Treasury stocks - at cost                                (418)          (534)          (116)           (450)
II. Valuation & translation adjustments                91,650         32,557        (59,093)         30,340
Unrealized holding gain on securities                  24,743         12,863        (11,879)         25,881
Net unrealized holding gain (loss ) on derivative      (5,396)           741          6,138          (3,048)
instruments
Foreign currency translation adjustments               72,303         18,953        (53,350)          7,507
III. Stock Options                                         16            243            227              26
IV. Minority interests in consolidated subsidiaries    15,255         12,961         (2,293)         13,357

Total: Liabilities and net assets                   1,398,460      1,417,534         19,074       1,408,983





2.        Income statement
                                                                                  (in million JPY)
                                                       FY2007        FY 2008          Change         FY 2007
                                                         Q3             Q3                          Full year
Net sales                                             485,941        648,654         162,713         681,547
Cost of sales                                         328,509        441,939         113,430         478,700
Gross Income                                          157,431        206,715          49,283         202,846
Selling, general and administrative expenses          134,653        165,893          31,240         179,024
Operating income                                       22,778         40,821          18,042          23,822
Non-operating income                                   10,297         16,135           5,837          15,476
Non-operating expense                                  13,474         27,977          14,503          31,297
Income before extra-ordinary items                     19,601         28,978           9,377           8,001
Extra-ordinary income                                  48,719         50,594           1,875          51,555
Extra-ordinary loss                                    14,799          2,048         (12,751)         21,498
Income before income taxes                             53,521         77,525          24,003          38,057
and minority interests
Income tax (Current)                                   25,577          8,843         (16,734)         28,068
Income tax (Deferred)                                    (665)         5,993           6,659          (5,063)
Minority interests in net income                          441          1,887           1,446           2,957
of consolidated subsidiaries
Net income                                             28,169         60,801          32,632          12,095





3.        Statement of cash-flow
                                                                               (in million JPY)
                                                                     FY2007         FY 2008         FY 2007
                                                                       Q3              Q3          Full year
Cash flows from operating activities:
Income before income taxes and minority interests                    53,521          77,525          38,057
Depreciation and amortization                                        40,018          48,025          51,350
Amortization of goodwill                                               -              7,829           8,316
Loss on impairment of fixed assets                                      653             189             683
Decrease (increase) in notes and accounts receivable                 11,747          12,403           6,206
Decrease (increase) in inventories                                   (5,744)         (9,620)          2,822
(Decrease) increase in notes and accounts payable                    (3,189)        (20,960)          4,822
Other, net                                                          (38,058)        (34,040)        (19,597)
Sub Total                                                            58,949          81,351          92,661
Interest and dividend income received                                 2,465          10,201           9,925
Interest paid                                                       (12,174)        (23,573)        (19,277)
Income taxes paid                                                    (4,311)        (31,854)         (7,930)
Net cash provided by operating activities                            44,929          36,124          75,379
Cash flows from investing activities:
Purchase of property, plant and equipment                           (38,062)        (33,574)        (49,355)
Proceeds from sales of property, plant and equipment                 10,359           2,519           12,822
Purchase of investments in securities                              (275,884)         (7,353)        (321,723)
Proceeds from sales of investments in securities                     55,716          83,897           62,578
Other, net                                                           (3,170)           (159)          (1,966)
Net cash provided by (used in) investing activities                (251,042)         45,329         (297,644)
Cash flows from financing activities:
Increase (decrease) in short-term borrowings                        (33,348)         (1,921)          (2,474)
Increase (decrease) of long-term indebtedness                       182,170         (70,087)         196,619
Cash dividends paid                                                  (3,079)         (5,994)          (3,029)
Other, net                                                             (780)           (411)          (1,046)
Net cash provided by (used in) financing activities                 144,962         (78,415)         190,068

Effect of foreign exchange rate on cash and cash equivalents         14,465            (887)          12,740
Net decrease (increase) in cash and cash equivalents                (46,684)          2,151          (19,455)
Cash and cash equivalents at beginning of the year                  179,158         159,762          179,158
Decrease due to change in scope of cash & cash equivalents             -            (38,711)           -
Change in scope of consolidation                                       -               -                  59
Cash and cash equivalents at the end of the year                    132,474         123,201          159,762










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